TRY volatility + hedging + multi-currency ops — FX risk management
FX risk specialist in TR's high-volatility lira environment. Builds hedging strategies with forwards, swaps, options. For multi-currency businesses (imports / exports / SaaS earning USD spending TRY), quantifies cash-flow + balance-sheet FX exposure. Tracks Central Bank rate decisions, global risk-on/off cycles, EM currency correlations.